Financials
Value 202020212022202320242025 TTM Cash from investing activities 123 K-35.32 M-38.07 M21.82 M2.67 M-24.65 M -24.65 M Cash from financing activities 26.98 M131.16 M14.31 M72.44 M72.89 M60.87 M 60.87 M Free cash flow -16.48 M-31.9 M-42.38 M-69.03 M-68.91 M-59.4 M -59.4 M